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Ajinomoto (Malaysia) Bhd Ajinomoto (Malaysia) Bhd

Ajinomoto (Malaysia) Bhd

2658
Clasificación en acciones #16448
Ajinomoto (Malaysia) Berhad is a Malaysian entity primarily engaged in the... Ajinomoto (Malaysia) Berhad is a Malaysian entity primarily engaged in the production and distribution of monosodium glutamate (MSG) and an array of associated food products. Its operations are strategically divided into two principal divisions: the Consumer Business segment and the Industrial Business segment. Under its Consumer Business, the company offers a diverse portfolio of retail items. These encompass key culinary enhancers like AJI-NO-MOTO (their signature MSG), various seasoning blends such as Rasa Sifu (a general seasoning), TUMIX (chicken stock), SERI-AJI (menu-specific options), AJI-SHIO (flavored and black pepper), and AJI-MIX (blended seasonings). Other consumer offerings include AJI-NO-MOTO plus (a broader flavor enhancer), aminoVITAL (a jelly sports drink), and Pal Sweet (a sugar-free sweetener). For its Industrial Business clients, the company supplies specialized ingredients. These include hydrolysed vegetable proteins (available in both liquid and powder formats), AJI-AROMA (designed to boost taste and aroma), AJIMATE (another flavor enhancer), and ACTIVA TG preparation (an enzymatic product facilitating protein polymerization and cross-linking). These industrial offerings are widely utilized by food manufacturers across various sectors, including the production of instant noodles, soups, snack foods, sauces, dairy items, processed meats, and seafood products. Beyond domestic sales, Ajinomoto (Malaysia) Berhad engages in significant export activities, distributing its goods to markets across the Middle East, other Asian nations, and other international regions. Established in 1961, the company maintains its headquarters in Kuala Lumpur, Malaysia, and operates as a direct subsidiary of the global Ajinomoto Co., Inc.
Precio por acción
$4.83
Capitalización bursátil
$293.45M
Cambio (1 día)
0.43%
Cambio (1 año)
59.57%
País
MY
Comercio Ajinomoto (Malaysia) Bhd (2658)
Ratio P/E de Ajinomoto (Malaysia) Bhd (2658)
Ratio P/E al 2026 TTM: 0
Según los últimos informes financieros y el precio de las acciones de Ajinomoto (Malaysia) Bhd, el P/E actual (TTM) de la empresa es 0. Al final de 2026, la empresa tenía un P/E de 0.
Historial del ratio P/E de Ajinomoto (Malaysia) Bhd desde 2026 hasta 2026
Relación P/E al final de cada año
Año Ratio P/E Cambiar
Not enough data for the provided dates.
Relación P/E para empresas similares o competidores
Empresa P/E Ratio Diferencia del P/E Ratio País
27.27 -
CH
- -
FR
- -
JP
-8.98 -
US
73.48 -
IN
¿Cómo leer un P/E ratio?

El ratio Precio/Beneficio (P/E Ratio) mide la relación entre el precio de las acciones de una empresa y sus beneficios por acción.
Un P/E bajo pero positivo indica una empresa con altos beneficios en relación a su valoración actual y que podría estar infravalorada. Una empresa con un P/E negativo alto (cerca de 0) indica fuertes pérdidas en comparación con su valoración.

Las empresas con un P/E superior a 30 o negativo suelen considerarse "acciones de crecimiento", lo que significa que los inversores esperan que crezca o se vuelva rentable en el futuro.

Las empresas con un P/E positivo inferior a 10 suelen considerarse "acciones de valor", lo que significa que ya son muy rentables y no se espera un fuerte crecimiento.